Financials
Value 202020212022202320242025 TTM Cash from investing activities 716.84 M1.1 B1.33 B214.05 M64.13 M69.45 M 69.45 M Cash from financing activities 1.43 B1.1 B812.59 M411.42 M662.84 M953.28 M 953.28 M Free cash flow 42.26 M145.37 M291.43 M90.87 M99.06 M186.57 M 186.57 M